The Stock Index13F Holders87024 enriched tickers

Stocks

Every security held by an SEC 13F filer — sorted by institutional ownership and sliced by sector, holder churn, and recent activist activity. 87024 enriched tickers · Source: SEC EDGAR.

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Ranked by market capShowing rows 385432 of 87024 enriched
Source: SEC EDGAR · 13F-HR
#StockSectorMkt cap
385
LOVELAND COLO ELEC & COMMUNICATION ENTERPRISE REV 3.382 12/01/28
386
LITTLE BLUE VY SWR DIST MO SWR SYS REV 4.0 09/01/31
387
LINCOLN NEB ELEC SYS REV 1.749 09/01/32
388
LA GRANGE GA DEV AUTH REV 3.0 04/01/27
389
KNOXVILLE TENN WASTE WTR SYS REV 4.0 04/01/37
390
KENTUCKY ST PPTY & BLDGS COMMN REVS 5.0 11/01/31
391
KEARNS UTAH IMPT DIST WTR & SWR REV 3.0 05/01/34
392
AK JUN 4 06/01/2033JUNEAU ALASKA CITY & BORO 4.0 06/01/33
393
JEFFERSON CNTY KY SCH DIST FIN CORP SCH BLDG REV 4.0 05/01/32
394
IRVING TEX WTRWKS & SWR REV 3.0 08/15/31
395
IOWA ST UNIV SCIENCE & TECHNOLOGY UNIV REV 3.0 07/01/29
396
INDIANA ST UNIV REVS 5.0 10/01/31
397
INDIANA ST UNIV REVS 3.0 10/01/26
398
HPQ 4.2 04/15/32HP Inc 4.2 04/15/32
399
HPQ 4 04/15/29HP Inc 4.0 04/15/29
400
HOT SPRINGS ARK WTR REV 4.0 10/01/30
401
GRAND IS NEB COMBINED UTILS REV 1.92 08/15/28
402
SO 4.7 05/15/32Georgia Power Company 4.7 05/15/32
403
TX FTW 3 03/01/2035FORT WORTH TEX 3.0 03/01/35
404
FORT PIERCE FLA UTILS AUTH REV 5.0 10/01/29
405
FOND DU LAC WIS SCH DIST 4.0 04/01/35
406
FLORIDA ST BRD ADMIN FIN CORP REV 5.526 07/01/34
407
FLORIDA ST BRD ADMIN FIN CORP REV 2.154 07/01/30
408
FLAGSTAFF ARIZ CTFS PARTN 2.08 05/01/29
409
FAYETTEVILLE N C LTD OBLIG 5.0 06/01/30
410
FAU FIN CORP FLA CAP IMPT REV 5.0 07/01/27
411
ERIE PA WTR AUTH WTR REV 2.459 12/01/35
412
TX ELP 5 08/15/2030EL PASO TEX 5.0 08/15/30
413
EDMOND OKLA PUB WKS AUTH SALES TAX & UTIL SYS REV 4.0 07/01/35
414
DUK 2.85 03/15/32Duke Energy Carolinas LLC 2.85 03/15/32
415
DOUGLAS CNTY NEB SCH DIST NO 066 2.05 06/01/34
416
DG 3.5 04/03/30Dollar General Corporation 3.5 04/03/30
417
DES MOINES IOWA INDPT CMNTY SCH DIST SCH INFRASTRUCTURE SALES SVCS & USE TAX REV 5.0 06/01/27
418
DENVER COLO PUB SCHS CTFS PARTN 4.242 12/15/37
419
DENISON TEX INDPT SCH DIST 4.0 08/01/32
420
DELAWARE TRANSN AUTH TRANSN SYS REV 3.0 07/01/37
421
DEL NORTE CNTY CALIF UNI SCH DIST 3.28 08/01/35
422
DAVIESS CNTY KY SCH DIST FIN CORP SCH BLDG REV 5.0 11/01/30
423
DAUPHIN CNTY PA 5.09 11/15/38
424
DRI 3.85 05/01/27Darden Restaurants, Inc. 3.85 05/01/27
425
TX DAL 4 02/15/2035DALLAS TEX 4.0 02/15/35
426
DALLAS FORT WORTH TEX INTL ARPT REV 4.842 11/01/33
427
OH CUY 3 12/01/2035CUYAHOGA CNTY OHIO 3.0 12/01/35
428
CULLMAN ALA UTILS BRD WTR REV 3.0 09/01/29
429
STZ 4.9 05/01/33Constellation Brands, Inc. 4.9 05/01/33
430
CMCSA 6.95 08/15/37Comcast 6.950 08/15/37
431
COLLEGE IOWA CMNTY SCH DIST SCH INFRASTRUCTURE SALES SVCS & USE TAX REV 4.0 06/01/30
432
COLLEGE CHARLESTON S C ACADEMIC & ADMINISTRATIVE FACS REV 5.0 04/01/30
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